TAHIR MASOOM

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TAHIR MASOOM ADDRESS: 337-B BLOCK, QADDAFI PARK GULSHAN-E-RAVI, LAHORE – PAKISTAN. CELL # +923224720287, +923244824774 Email: [email protected] PERSONAL PROFILE:- Name: Tahir Masoom Father Name: Masoom Khan (Late) Nationality: Pakistani Domicile: Punjab (Lahore) CNIC # 35202-7078194-7 Passport # AA0851941 Date of Birth: 20-04-1977 Marital Status: Married Religion: Islam CAREER OBJECTIVE: Seeking a long-term opportunity within dynamic business community, where my professional experience, education, and abilities would be advantageous to the growth of my employer and myself too. PROFESSIONAL/ACADEMIC QUALIFICATION: Examination Passed Passin g Year Grade/CGPA/ Division Institution/ University/Board CMA Qualified 2015 Grade: PE ICMAP Lahore MBA (Finance) 2011 3.50 CGPA Virtual University of Pakistan BA 2006 2 nd Div Allama Iqbal Open University of Pakistan FA 2003 2 nd Div BISE Lahore Matric (Science) 1992 300 out of 850 Marks BISE Lahore

Transcript of TAHIR MASOOM

Page 1: TAHIR MASOOM

TAHIR MASOOM

ADDRESS: 337-B BLOCK, QADDAFI PARKGULSHAN-E-RAVI, LAHORE – PAKISTAN.

CELL # +923224720287, +923244824774Email: [email protected]

PERSONAL PROFILE:-

Name: Tahir MasoomFather Name: Masoom Khan (Late)Nationality: PakistaniDomicile: Punjab (Lahore)CNIC # 35202-7078194-7Passport # AA0851941Date of Birth: 20-04-1977Marital Status: MarriedReligion: Islam

CAREER OBJECTIVE:

Seeking a long-term opportunity within dynamic business community, where my professional experience, education, and abilities would be advantageous to the growth of my employer and myself too.

PROFESSIONAL/ACADEMIC QUALIFICATION:

Examination PassedPassing Year

Grade/CGPA/Division Institution/University/Board

CMA Qualified 2015 Grade: PE ICMAP Lahore MBA (Finance) 2011 3.50 CGPA Virtual University of Pakistan

BA 2006 2nd DivAllama Iqbal Open University of Pakistan

FA 2003 2nd Div BISE LahoreMatric (Science) 1992 300 out of 850 Marks BISE Lahore

COMPUTER SKILLS:-

Enough Know-how of MS office (Word, Excel, Power Point). Studied MBA (Finance) online by virtue of which I possess good ability to make use of

Computer/Internet (Mail, browsing & Searching requisite date/information).

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PROFESSIONAL EXPERINECE: -

More than 19 years experience in Finance & Accounts Department.

Performed duties as Record Sorter in Ledger & Returns Section, Banking Cell and Payroll Section for the period of 15-05-1996 to 04-04-2007.

KEY RESPONSIBILITIES (04-04-2007 to date): -

Ledger & Banking Section:

Assisted in Budget proposal. Distribution of budget as allocated by Principal Office. Quarterly Trial Balance preparation on excel sheet as specified by PO. Preparation of A/C Receivables/Payables schedules. Reconciliation of Inter zone Accounts. Sending/Receiving DR/CR Notes. Reconciliation of new business collection Account. Reversal of cheques dishonoured. Sending realization sheet of cheque encashed to NB Deptt.

Payroll Section: -

Payment to FBR of tax deducted/withheld from vendors’ payments. E-filing of tax payments after issuance of CPRN. Payment of sales tax and e-filing thereof. Recoveries and Reconciliation of Loans & Advances (Employees). Adjustment of Interest on Loans by passing JV. Petty Cash Payments. Preparation of Salary to high volume employees i. e. 330 in total. Miscellaneous payments to employees i. e. Bonus, Leave Encashment, over time etc. Calculation of tax imposed on income of employees, tax deduction from their salary. Payment of tax deducted from salary to FBP and e-filing thereof. Calculation and payment of arrears to employees. Furnished salary related information as and when required.

PA to Zonal Accountant.

Met and greeted visitors. Controlled flow of incoming and outgoing correspondence. Managed phone calls, fax and emails. Privy to confidential information on a regular basis. Assisted other departments with administrative tasks as requested. Performed any other duties assigned by Zonal Accountant.

Cash Counter (Randomly performed in December):-

Cheque/Cash Collection at counter. Preparation of schedule of cheques collected for submission to Bank. Tallying cash with receipt issued before handing over to Incharge Cash Counter. Reconciliation cheques schedules with receipts issued against cheques.